Ensure journal entries are recorded to accurately reflect appropriate accrual basis accounting transactions for assigned functions in the correct period including accruals of expenses, accruals of revenue, amortization of prepaid expenses, etc.
Managing responsible project processes related to strategic objectives of Financial Shared Services Center division and oversee implementation and enforcement of management directives, policies and procedures.
Interface with Sales and Account Management teams to support sales activities where implementation expertise is a focus, and to ensure client objectives and requirements are conveyed throughout the organization during implementation projects
The Field Reimbursement Managers (FRM) will be responsible for managing accounts in a specified region for the Neuro Therapeutic area to provide reimbursement education to HCP office personnel involved in reimbursement matters.
Contacts prospective customers in order to develop new treasury management business; manages relationships with existing customers to ensure proper servicing of accounts and to expand existing business.
Monitor, review, and update all cost transfers: assist in monitoring all inventory and adjustments. Able to present the various Food and Beverage accounting reports to the Food and Beverage Controller.